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Scion Asset Management (Michael Burry) - FilingSpy
Scion Asset Management
Michael Burry
$224.70M
13F
2020 Q4
20 of 32 quarters
Overview
Activity
Holdings
Buys
C
NEW
Citigroup Inc
$33.27M
+539.6K shares
KHC
NEW
Kraft Heinz Co. (the)
$20.44M
+589.7K shares
DNOW
NEW
Dnow Inc.
$10.77M
+1.50M shares
WFC
NEW
Wells Fargo & Company
$7.54M
+250.0K shares
GEO
NEW
The Geo Group Inc
$7.49M
+845.2K shares
TAP
NEW
Molson Coors Beverage Company
$6.78M
+150.0K shares
CXW
NEW
Corecivic Inc
$6.55M
+1.00M shares
HFC
NEW
Hollyfrontier Corporation
$6.46M
+250.0K shares
IMKTA
NEW
Ingles Markets, Incorporated
$4.75M
+111.4K shares
SXC
NEW
Suncoke Energy Inc
$3.38M
+776.2K shares
ARCC
NEW
Ares Capital Corporation
$2.11M
+125.0K shares
PFE
Pfizer Inc.
$15.29M
+ $15.79M
=
$31.08M
416.6K
+427.7K (+102.66%)
LUMN
Lumen Technologies Inc.
$8.07M
+ $3.14M
=
$11.21M
800.0K
+350.0K (+43.75%)
UBA
Urstadt Biddle Properties Inc.
$460.0K
+ $5.54M
=
$6.00M
50.0K
+375.0K (+750.00%)
Sells
GOOG
EXIT
Alphabet Inc. (formerly Google Inc.)
$58.78M
- $58.78M
=
Closed
-40.0K shares (100%)
MO
EXIT
Altria Group Inc
$7.73M
- $7.73M
=
Closed
-200.0K shares (100%)
BAC
EXIT
Bank of America Corporation
$8.25M
- $8.25M
=
Closed
-342.3K shares (100%)
CVS
EXIT
CVS Health Corporation
$35.75M
- $35.75M
=
Closed
-612.1K shares (100%)
META
EXIT
Meta Platforms Inc
$24.88M
- $24.88M
=
Closed
-95.0K shares (100%)
FL
EXIT
Foot Locker Inc
$5.95M
- $5.95M
=
Closed
-180.0K shares (100%)
GME
EXIT
Gamestop Corp.
$17.38M
- $17.38M
=
Closed
-1.70M shares (100%)
GS
EXIT
The Goldman Sachs Group, Inc.
$14.79M
- $14.79M
=
Closed
-73.6K shares (100%)
JPM
EXIT
JPMorgan Chase & Co.
$8.28M
- $8.28M
=
Closed
-86.0K shares (100%)
LVS
EXIT
Las Vegas Sands Corp.
$7.14M
- $7.14M
=
Closed
-153.0K shares (100%)
NOV
EXIT
Nov Inc.
$1.48M
- $1.48M
=
Closed
-163.6K shares (100%)
PDEUR
EXIT
Precision Drilling Corp
$2.88M
- $2.88M
=
Closed
-4.50M shares (100%)
QRVO
EXIT
Qorvo Inc
$7.74M
- $7.74M
=
Closed
-60.0K shares (100%)
ROIC
EXIT
Retail Opportunity Investments Corp.
$5.21M
- $5.21M
=
Closed
-500.0K shares (100%)
TCOM
EXIT
Trip.com Group Limited
$7.79M
- $7.79M
=
Closed
-250.0K shares (100%)
PARA
EXIT
Paramount Global
$2.41M
- $2.41M
=
Closed
-86.0K shares (100%)
WYNN
EXIT
Wynn Resorts Ltd
$5.03M
- $5.03M
=
Closed
-70.0K shares (100%)
LILA
EXIT
Liberty Latin America Ltd.
$410.0K
- $410.0K
=
Closed
-49.7K shares (100%)
RPT
Rpt Realty
$7.34M
+ $1.31M
=
$8.65M
1.00M left
-350.0K (-25.93%)
UNIT
Uniti Group Inc
$10.54M
- $2.03M
=
$8.50M
725.0K left
-275.0K (-27.50%)
Show all 27 sells (7 more)